Cash InfraPro supports your organization from preparation of contract and deliverables for each project phase through planning and implementation to an optimized and controlled operation.
Key elements of our approach:
Project structure plan with dedicated responsibility per activity package
PM-software for project leader and as information node/ documentation interface to all project participants
Project controlling including quality gates for agreed milestones
Risk management throughout all project phases
Projects stay predictable for your organization regarding time, costs, quality of results, and risks, because a realistic time planning depends mainly on technical and practical knowledge of project managers.
Our project managers have profound knowledge related to every aspect of cash handling. Your decision makers can trust in the intercultural experience of our experts.
Project leadership and project office
Set-up of new infrastructure units - CiT companies, cash center operations, ATM networks
Restructuring of organizations - improved processes and costs of cash supply chain
Transformation of bank branches and retail shops - integration of new technologies and security systems
Implementation of enhanced process standards, e.g. Lean Cash Management, GS1 Standards for cash logistics
Trainings and workshops form operations to management level
Risk assessment and auditing of cash centers and CiT companies
Vacancies - bridging capacity gaps to ensure seamless operations
Exceptional situations - support in emergency situations, merger and acquisitions, or restructuring